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Optimal Portfolios with Stochastic Interest Rates and Defaultable Assets

Jezik EngleskiEngleski
Knjiga Meki uvez
Knjiga Optimal Portfolios with Stochastic Interest Rates and Defaultable Assets H. Kraft
Libristo kod: 01559165
The continuous-time portfolio problem consists of finding the optimal investment strategy of an inve... Cijeli opis
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The continuous-time portfolio problem consists of finding the optimal investment strategy of an investor. In the classical Merton problem the investor can allocate his funds to a riskless savings account and risky assets. However, to get explicit results, it is assumed that the interest rates are deterministic and that the assets are default free. In this monograph both assumptions are weakened: The author analyzes and solves portfolio problems with stochastic interest rates and with defaultable assets. Besides, he briefly discusses how portfolio problems with foreign assets can be handled. The focus of the monograph is twofold: On the one hand, the economical problems are carefully explained, on the other hand their formal solution is rigorously presented. For this reason the text should be of interest to researchers with a Finance background as well as to researchers with a more formal background who would like to see how mathematics is applied to portfolio theory. TOC:Preliminaries from Stochastics.- Optimal Portfolios with Stochastic Interest Rates.- Elasticity Approach to Portfolio Optimization.- Barrier Derivatives with Curved Boundaries.- Optimal Portfolios with Dafaultable Assets - A Firm Value Approach.- References.- Abbreviations.- Notations.

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Puni naziv Optimal Portfolios with Stochastic Interest Rates and Defaultable Assets
Autor H. Kraft
Jezik Engleski
Uvez Knjiga - Meki uvez
Datum izdanja 2004
Broj stranica 174
EAN 9783540212300
ISBN 3540212302
Libristo kod 01559165
Težina 600
Dimenzije 155 x 235 x 11
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